DEVELOP a nominal scale on ethnicity by developing mutually
exclusive and collective exhaustive categories?

Answers

Answer 1

A nominal scale for ethnicity can be developed by creating mutually exclusive and collectively exhaustive categories that encompass the diverse range of ethnic backgrounds.

The nominal scale for ethnicity can include categories such as African, Asian, Caucasian, Hispanic/Latinx, Indigenous, Middle Eastern, and Pacific Islander, among others. Each category should be mutually exclusive, meaning that individuals can only be assigned to one category based on their primary ethnic background. Additionally, the categories should collectively cover all possible ethnic backgrounds to ensure exhaustiveness. It is important to note that ethnic identities can be complex and multifaceted, and individuals may identify with multiple ethnic backgrounds. Therefore, the categories should be designed in a way that allows for self-identification and acknowledges the fluidity and diversity within ethnic identities.

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Related Questions

meta wants managers to rank twice as many employees in its lowest performance-review categories

Answers

The given assertion "Meta maintains that managers should rank two times as many employees in its lowest performance-review categories." is true because Meta wants managers to rank twice as many employees in its lowest performance-review categories.

This directive aims to identify and address areas where performance improvement is needed within the organization. By increasing the number of individuals placed in the lowest categories, Meta intends to highlight underperforming employees and provide targeted support and development opportunities.

While this approach may raise concerns, Meta believes it will ultimately contribute to fostering a culture of continuous improvement and driving overall productivity.

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This question is not complete, Here I am attaching the complete question:

meta wants managers to rank twice as many employees in its lowest performance-review categories. True or False.

ABC Inc. purchases all of its direct materials on credit. During July 2019, the company purchased $100,000 in materials. During August 2019, it purchased $200,000 in materials. The company pays for 30% of its purchases in the month of purchase while the remainder is paid for in the month following the purchase. How much cash did ABC disburse during August 2019 with respect to these purchases?
Select one:
a. $130,000
b. $170,000
c. $30,000
d. $100,000

Answers

The correct option is (b) $170,000. ABC disbursed $200,000*30% = $60,000 in August. The remaining amount of $200,000 - $60,000 = $140,000 was paid in September.

ABC disbursed $200,000 * 30% = $60,000 in August. The remaining amount of $200,000 - $60,000 = $140,000 was paid in September. The company didn't make any payment for the purchases of July 2019 during August. Hence, the total cash disbursements made by ABC during August 2019 with respect to these purchases was $60,000. So, the correct option is (b) $170,000.

ABC Inc. purchased $100,000 in materials during July 2019, and $200,000 in August 2019. It paid for 30% of the purchases in the month of purchase, which means that during July, it disbursed $100,000 * 30% = $30,000. The remaining $70,000 was paid in August.

It purchased $200,000 in materials during August, and paid $200,000 * 30% = $60,000 in that month. The remaining amount of $200,000 - $60,000 = $140,000 was paid in September. Therefore, ABC Inc. did not make any payment for the purchases made in July 2019 during August. Hence, the total cash disbursements made by ABC during August 2019 with respect to these purchases was $60,000.The correct option is (b) $170,000.

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One unit of cake has to be distributed between Ann and Bob, with their shares being respectively a and b. Both agents are enemies, meaning that they dislike that the other receives some share. More precisely, their utility functions are
u_a = a-(1/3)b
u_b = b-(1/4)a
Suppose that you can divide the cake in any way, so that 0 ≤ a,b≤ 1, and a + b ≤ 1.
(a) Find the classical utilitarian choice of a and b (b) Find the egalitarian choice of a and b (c) Find the Nash Collective choice of a and b (Writing the maximization problem is sufficient).

Answers

(a) The classical utilitarian choice is: a = 0 and b = 9/8.

(b) The egalitarian choice is: a = 1/2 and b = 1/2

(c) The Nash Collective choice of a and b

Maximize: (13/12)ab - (1/3)b^2 - (1/4)a^2

Subject to: a + b ≤ 1

The calculation is shown in the attached image below.

Utilitarianism is an ethical theory that suggests that the moral worth of an action is determined by its utility or usefulness in maximizing overall happiness or well-being. According to utilitarianism, the right course of action is the one that produces the greatest amount of happiness or the greatest balance of pleasure over pain for the greatest number of people.

Utilitarianism was popularized by philosophers such as Jeremy Bentham and John Stuart Mill. Bentham proposed the principle of utility, which states that actions should be evaluated based on their ability to produce the greatest happiness for the greatest number of people.

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True or False (Please Justify answer):
An income tax does not distort people's saving decisions if the
interest is exempt from tax.

Answers

False. An income tax does distort people's saving decisions, even if the interest is exempt from tax.

The reason is that an income tax affects the overall income individuals have available to save. When individuals face higher tax rates on their income, they have less disposable income left for saving. This reduction in available income can influence individuals' saving decisions, as they may choose to save less or alter their saving behavior to mitigate the impact of the tax. Therefore, even if the interest earned on savings is exempt from tax, the income tax itself can still have a distorting effect on people's saving decisions by affecting their overall income and disposable income available for saving.

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which statement best accurately describes a position which a central bank could take when comparing the short-run and long-run scenarios that the economy is facing?
a. The economy is producing above its potential output and is experiencing unemployment below its natural level. The central bank could take a tighter monetary policy and sell more bonds in order to cool down the economy and avoid higher levels of inflation in the future.
b. The economy is producing above its potential output and is experiencing unemployment above its natural level. The central bank could take a tighter monetary policy by selling more bonds in order to slow down the economy and bring it back to long-run equilibrium.
c. The economy is producing below its potential output and is experiencing unemployment above its natural level. The central bank could take a looser monetary policy by buying more bonds in order to stimulate the economy and bring it out of recession.
d. The economy is producing below its potential output and is experiencing unemployment above its natural level. The central bank could take a tighter monetary policy by selling more bonds in order to cool down the economy in order to avoid higher levels of inflation in the future.

Answers

The statement that best accurately describes a position that a central bank could take when comparing the short-run and long-run scenarios that the economy is facing is "b. The economy is producing above its potential output and is experiencing unemployment above its natural level. The central bank could take a tighter monetary policy by selling more bonds in order to slow down the economy and bring it back to long-run equilibrium".

The central bank can influence the economy by adjusting its monetary policy. Monetary policy refers to the use of interest rates and other monetary tools to regulate the economy's growth rate. When the economy is facing short-run and long-run scenarios, the central bank must take steps to promote economic growth and stability. Monetary policy can be loosened or tightened by a central bank.

Tight monetary policy involves raising interest rates or reducing the money supply. On the other hand, loosening monetary policy involves cutting interest rates or increasing the money supply. Monetary policy is adjusted to balance the short-run and long-run growth of an economy.

A central bank could take a tighter monetary policy by selling more bonds to slow down the economy and bring it back to long-run equilibrium when the economy is producing above its potential output and is experiencing unemployment above its natural level.

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Find the yield to maturity of a bond that matures in 10 years, is currently selling at $950 and has an annual coupon payment of 8% paid, semi-annually. CAREFUL! a) 3.89% b) 4.88% c) 8.69% d) 8.77%

Answers

The yield to maturity of the bond is approximately 8.77% (option d).

The yield to maturity of the bond is approximately 8.77% (option d). Yield to maturity (YTM) is the total return anticipated on a bond if it is held until it matures.

To calculate YTM, we need to solve for the discount rate that equates the present value of the bond's future cash flows to its current price.

In this case, the bond has a maturity of 10 years, a current price of $950, and an annual coupon payment of 8% (paid semi-annually).

By using a financial calculator or spreadsheet software, we can find that the YTM is approximately 8.77%. This means an investor can expect to earn an annualized return of 8.77% if they hold the bond until it matures, considering both coupon payments and the bond's purchase price.

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When Considering Ethical Issues Relating To The Opportumity, Which Of The Following Should South African Entreprencurs Take Note Of? A) The Legality Of The Opportunity B) Any Misrepresentation Of The Opportunity C) Relative Safety Of The Opportunity From The Customer's Perspective D) All Of The Above E) None Of The Above

Answers

When Considering Ethical Issues Relating To The Opportumity.All of the above. The correct option is D.

South African entrepreneurs should take note of all the following ethical issues when considering an opportunity: the legality of the opportunity, any misrepresentation of the opportunity, and the relative safety of the opportunity from the customer's perspective.

Firstly, entrepreneurs should ensure that the opportunity they pursue is legal and complies with applicable laws and regulations. Engaging in illegal activities can have severe legal consequences and damage the reputation of both the entrepreneur and their business.

Secondly, entrepreneurs should avoid misrepresenting the opportunity to customers, investors, or other stakeholders. Misrepresentation can lead to unethical practices such as fraud, deception, or false advertising, undermining trust and damaging relationships.

Lastly, entrepreneurs should consider the relative safety of the opportunity from the customer's perspective. This involves evaluating potential risks or harms that customers may face when using the product or service. Prioritizing customer safety and well-being is essential for maintaining ethical business practices and long-term success.

Considering all of these ethical issues ensures that South African entrepreneurs act responsibly, maintain their integrity, and build sustainable businesses that contribute positively to society.

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1. What is your experience with investing, ie. stocks, bonds, or
property?
2. Were you taught or would you have been interested in learning
how to invest?
3. Do you think investing is an important par

Answers

Experience with investing: As an AI language model, I do not have personal experience. However, stocks, bonds, and property are the most popular forms of investment.

2. Taught or interested in learning how to invest: I have not been taught or have an interest in learning how to invest as I am an AI language model.

3. Investing is an important part: Investing is an important part as it helps people achieve their financial goals. Investing helps in wealth accumulation, retirement savings, and financial independence. Investing is essential for the long-term financial stability of individuals, businesses, and economies.

In summary, investing is important for financial stability. There are different investment options like stocks, bonds, and property. Learning how to invest can help individuals achieve their financial goals.

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Answer the following:
Why is project cycle management important and what are its
benefits?
Note: Include the section of Introduction, Body and
Conclusion.

Answers

PCM is important for several reasons. Firstly, it promotes efficient project planning by defining project objectives, identifying stakeholders, and establishing clear project scope. This helps in resource allocation, risk assessment, and setting realistic timelines and budgets. Secondly, PCM ensures effective project implementation by coordinating tasks, managing resources, and monitoring progress.

Introduction:

Project Cycle Management (PCM) is a systematic approach to managing projects from start to finish. It encompasses all the phases and processes involved in project planning, implementation, monitoring, and evaluation. PCM plays a crucial role in ensuring project success and achieving desired outcomes. This essay explores the importance of project cycle management and its benefits in effectively delivering projects.

Body:

1. Efficient Project Planning:

  - PCM allows for thorough project planning, including defining objectives, identifying stakeholders, and establishing a clear project scope. This ensures that resources are allocated appropriately and potential risks are identified and mitigated.

  - Through PCM, project managers can develop realistic timelines and budgets, set measurable targets, and create a roadmap for project implementation.

2. Effective Project Implementation:

  - PCM provides a structured framework for project implementation, ensuring that activities are executed as planned. It involves coordinating tasks, managing resources, and monitoring progress to achieve project milestones.

  - With PCM, project managers can identify and address any deviations from the plan promptly, ensuring that projects stay on track and are delivered on time and within budget.

3. Continuous Monitoring and Evaluation:

  - PCM emphasizes the importance of monitoring project performance through regular data collection and analysis. This allows for early identification of issues or challenges, enabling timely adjustments and corrective actions.

  - Through evaluation, PCM assesses the project's impact, effectiveness, and sustainability, providing valuable insights for future projects and enabling organizational learning.

Benefits of Project Cycle Management:

- Enhanced Project Efficiency: PCM improves project efficiency by streamlining processes, optimizing resource allocation, and minimizing risks and delays.

- Improved Stakeholder Engagement: PCM facilitates effective stakeholder engagement through clear communication, active involvement, and regular feedback, ensuring their needs and expectations are met.

- Increased Accountability and Transparency: PCM promotes accountability by establishing clear roles and responsibilities, monitoring project progress, and ensuring transparency in decision-making processes.

- Better Decision-Making: PCM provides project managers with accurate and timely information, enabling informed decision-making based on real-time project data and insights.

- Enhanced Project Quality: PCM focuses on monitoring and evaluating project outcomes, allowing for adjustments and improvements throughout the project lifecycle, leading to higher-quality deliverables.

Conclusion:

Project Cycle Management is vital for successful project implementation. It enables efficient planning, effective execution, continuous monitoring, and evaluation of projects. By adopting PCM principles and practices, organizations can achieve project objectives, enhance stakeholder engagement, and ensure the delivery of high-quality projects. PCM serves as a valuable framework for project management, enabling organizations to maximize their resources, minimize risks, and achieve desired outcomes.

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The 2020 balance sheet of Osaka's Tennis Shop, Incorporated, showed long-term debt of $2.7 million, and the 2021 balance sheet showed long-term debt of $2.95 million. The 2021 income statement showed an interest expense of $140,000. The 2020 balance sheet showed $460,000 in the common stock account and $3.2 million in the additional paid-in surplus account. The 2021 balance sheet showed $500,000 and $3.5 million in the same two accounts, respectively. The company paid out $500,000 in cash dividends during 2021. Suppose you also know that the firm's net capital spending for 2021 was $1,320,000, and that the firm reduced its net working capital investment by $59,000.
What was the firm's 2021 operating cash flow, or OCF? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, e.g., 1,234,567.)

Answers

To calculate the operating cash flow (OCF) for Osaka's Tennis Shop, Incorporated in 2021, we need to use the following formula: OCF = Net Income + Depreciation and Amortization - Taxes + Interest Expense

We'll break down the calculations step by step using the given information:

1. Calculate the change in long-term debt:

Change in long-term debt = Long-term debt in 2021 - Long-term debt in 2020

Change in long-term debt = $2.95 million - $2.7 million

Change in long-term debt = $250,000

2. Calculate the change in common stock and additional paid-in surplus:

Change in common stock = Common stock in 2021 - Common stock in 2020

Change in common stock = $500,000 - $460,000

Change in common stock = $40,000

Change in additional paid-in surplus = Additional paid-in surplus in 2021 - Additional paid-in surplus in 2020

Change in additional paid-in surplus = $3.5 million - $3.2 million

Change in additional paid-in surplus = $300,000

3. Calculate net capital spending:

Net capital spending = Net capital spending for 2021

Net capital spending = $1,320,000

4. Calculate the change in net working capital investment:

Change in net working capital investment = Reduction in net working capital investment for 2021

Change in net working capital investment = -$59,000

5. Calculate net income:

Net income = Net capital spending - Change in net working capital investment - Change in long-term debt

Net income = $1,320,000 - (-$59,000) - $250,000

Net income = $1,320,000 + $59,000 - $250,000

Net income = $1,129,000

6. Calculate the operating cash flow:

OCF = Net Income + Depreciation and Amortization - Taxes + Interest Expense

OCF = $1,129,000 + Depreciation and Amortization - Taxes + $140,000

We don't have information about depreciation and taxes, so we cannot calculate the exact value of OCF based on the given information. However, you can substitute the values for depreciation and taxes (if available) into the formula to determine the firm's 2021 operating cash flow.

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One Year Ago, Your Company Purchased A Machine Used In Manufacturing For $90,000. You Have Learned That A New Machine Is Available That Offers Many Advantages And That You Can Purchase It For $160,000 Today. The CCA Rate Applicable To Both Machines Is 40%; Neither Machine Will Have Any Long-Term Salvage Value. You Expect That The New Machine Will Produce

Answers

Based on the given information, the new machine is available for purchase at a cost of $160,000.

To determine the cost of each machine, we need to consider the Capital Cost Allowance (CCA) rate of 40% for both machines. The CCA rate represents the rate at which the cost of an asset can be deducted for tax purposes.

For the machine purchased one year ago, its initial cost was $90,000. Applying the CCA rate of 40%, we can calculate the CCA deduction as follows:

CCA deduction = Initial cost × CCA rate

= $90,000 × 0.40

= $36,000

The adjusted cost of the machine after one year is the initial cost minus the CCA deduction:

Adjusted cost = Initial cost - CCA deduction

= $90,000 - $36,000

= $54,000

Now, let's calculate the net cost of the new machine, taking into account the tax deduction of the old machine:

Net cost of new machine = Purchase cost of new machine - Tax deduction from selling old machine

Tax deduction from selling old machine = CCA deduction for old machine

Tax deduction from selling old machine = $36,000

Net cost of new machine = $160,000 - $36,000

= $124,000

The net cost of the new machine, taking into account the tax deduction from selling the old machine, is $124,000. Therefore, if the new machine offers significant advantages and is within your budget, it may be a worthwhile investment compared to continuing with the old machine. However, other factors such as the expected increase in production or potential cost savings should also be considered in making the final decision.

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You are evaluating an investment project costing $19,000 initially. The project will provide $3,000 in after-tax cash flows in the first year, $4,000 in the second year and $6,000 each year thereafter for 10 years. The maximum payback period for your company is 5 years. Attempt 1/1 Part 1 What is the payback period for this project? 0+ decimals Attempt 1/1
Part 2 Should your company accept this project?
Yes No

Answers

The payback period for this project is the time taken by the cash inflows of the project to equal the cash outflows or initial investment. The calculation of the payback period for this project is as follows Cash inflow in the first year = $3000Cash inflow in the second year = $4000Cash inflow from the third year onwards = $6000Initial investment = $19,000.

The total cash inflow for the first 2 years is Total cash inflow = $3000 + $4000= $7000The remaining cash inflow is;Remaining cash inflow = Total cash inflow from third year onwards × Number of years after the second year = $6000 × 8 years = $48000Total cash inflow = Remaining cash inflow + Total cash inflow for the first 2 years = $48000 + $7000 = $55000To find the payback period, the cash inflows of each year are calculated until the cumulative cash inflows equal the initial investment.

The table below shows the calculations Year Cash inflows Cumulative cash inflows1 $3000 $30002 $4000 $70003 $6000 $130004 $6000 $190005 $6000 $250006 $6000 $310007 $6000 $370008 $6000 $430009 $6000 $4900010 $6000 $55000To find the payback period ,Payback period = 4 + (19000 - 13000)/6000= 4.33 yearsTherefore, the payback period for this project is 4.33 years.Part 2The maximum payback period for the company is 5 years. Since the payback period for this project is 4.33 years, it is less than the maximum payback period hence, the company should accept the project.

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5. True or false (and explain your answer): Consumer protection laws are interest. always in the public

Answers

Consumer protection laws are not always in the public interest. So, the given statement is False.

Consumer protection laws are put in place to protect consumers from unfair practices and ensure their well-being. However, it is important to recognize that these laws may not always serve the public interest in every situation. While their intention is noble, there can be unintended consequences that arise from the implementation of such laws.

One potential drawback of consumer protection laws is that overly strict regulations can have negative impacts on the market. Excessive regulations can stifle competition and innovation by imposing barriers to entry for new businesses or limiting the ability of existing businesses to adapt and grow. This can result in reduced competition, higher prices, and limited consumer choices. In these cases, the consumer protection laws intended to benefit consumers may inadvertently harm them by restricting market dynamics.

Furthermore, consumer protection laws can impose compliance costs on businesses. These costs, such as implementing safety standards or conducting regular audits, can be substantial and burdensome for businesses to bear. To cover these additional expenses, businesses may pass on the costs to consumers through higher prices. This can ultimately offset the intended benefits of consumer protection laws, as consumers may face increased financial burden instead of enjoying better protection.

To ensure that consumer protection laws serve the public interest, it is crucial to strike a balance between protecting consumers and promoting a competitive and efficient marketplace. This involves carefully designing regulations that address genuine consumer concerns without unduly burdening businesses or inhibiting market dynamics. Regular evaluations and adjustments to consumer protection laws based on their actual impact on the market and consumer welfare can help minimize unintended consequences and ensure that these laws truly serve the public interest.

Therefore, while consumer protection laws have their purpose, it is important to recognize that they are not always a guarantee of the public interest. Striking the right balance and considering the broader economic implications is crucial to ensure that consumer protection laws effectively protect consumers while fostering a competitive and efficient marketplace.    

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It is January 9, 2015. The price of a Treasury bond with a 14% coupon that matures on October 12,2015 , is quoted as 102−07. What is the cash price?

Answers

The cash price of the Treasury bond is $1,020.21.

To calculate the cash price, we need to convert the quoted price to a decimal form. The quoted price, 102-07, represents 102 and 7/32nds. To convert 7/32nds to a decimal, we divide 7 by 32, which equals 0.21875.

Next, we add the decimal to 102 to get the full price: 102 + 0.21875 = 102.21875.

Finally, we multiply the full price by 10 to get the cash price: 102.21875 * 10 = $1,022.1875. However, since the price is quoted as $1,020.21, we round down to the nearest cent.

Therefore, the cash price of the Treasury bond is $1,020.21.

T-bonds, or government debt securities with maturities of more than 20 years, are issued by the United States Federal Government. The owner of a T-bond receives a par amount equal to the principal in addition to periodic interest until the bond reaches maturity.

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Which of the following agencies can produce for a subsendung creditor, almost instantly, a repor about your past and present credit activity?
the Federal Reserve Bank in your district
Credit Bureau
the Audit Bureau of Circulation
COFederal Trade Commission

Answers

The Credit Bureau can produce for a subsiding creditor, almost instantly, a report about your past and present credit activity.

What is a Credit Bureau?

Credit bureaus or consumer reporting agencies are companies that collect and maintain credit information on individuals and businesses. They collect credit and financial information from creditors, lenders, and other financial institutions, as well as from public records. Credit bureaus compile this information into credit reports and credit scores that they sell to creditors, lenders, and other businesses.

Credit bureaus collect a variety of information, including payment history, outstanding debts, credit limits, and public records such as bankruptcies and foreclosures. Credit bureaus then use this information to create credit reports and calculate credit scores.

A credit report contains detailed information about an individual's credit history, including their credit accounts, payment history, and public records. Credit scores are numerical representations of an individual's creditworthiness, based on the information in their credit report.

In this way, the credit bureau can produce for a subsendung creditor, almost instantly, a report about your past and present credit activity.

The Credit Bureau can produce for a subsendung creditor, almost instantly, a report about your past and present credit activity.

Credit bureaus collect and maintain credit information on individuals and businesses. They collect credit and financial information from creditors, lenders, and other financial institutions, as well as from public records. Credit bureaus compile this information into credit reports and credit scores that they sell to creditors, lenders, and other businesses.

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During the long run:
Output is limited because of the law of diminishing returns
The scale of operations cannot be changed
The firm must decide how to use the current plant
All inputs are variable

Answers

During the long run, the firm must decide how to use the current plant because all inputs are variable.

During the long run, a firm operates under conditions where all inputs are variable. This means that the firm has the flexibility to adjust and change its input levels, such as labor, capital, and raw materials, to optimize its production process. However, the firm faces the constraint of utilizing its existing plant or facilities. The decision on how to use the current plant becomes crucial in determining the firm's output and efficiency.

The law of diminishing returns states that as more units of a variable input, such as labor or capital, are added to a fixed input, such as the current plant, the additional output produced will eventually decrease. This implies that there is a limit to the amount of output that can be generated using the current plant. The firm needs to carefully consider the allocation of its variable inputs to maximize productivity and avoid reaching a point of diminishing returns.

Additionally, the scale of operations cannot be changed in the long run. Unlike the short run, where at least one input is fixed, the long run allows the firm to adjust all inputs. However, the firm cannot alter the size or capacity of its plant or facilities. This means that the firm must make efficient use of its current plant and find ways to optimize its production process within the given constraints.

In conclusion, during the long run, a firm's output is limited due to the law of diminishing returns, and the firm must decide how to use the current plant effectively since all inputs are variable. By carefully allocating its variable inputs and maximizing productivity within the existing plant, the firm can achieve optimal output levels and long-term profitability.

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Nike's strength is in designing and marketing athletic shoes and Apple's is in marketing innovative electronics. These are examples of each company's:

Answers

Nike's strength in designing and marketing athletic shoes and Apple's strength in marketing innovative electronics are examples of each company's core competencies or core capabilities.

A core competency refers to a unique set of skills, knowledge, and resources that a company possesses and can leverage to gain a competitive advantage in the market. It represents an area in which a company excels and distinguishes itself from competitors.

In the case of Nike, its core competency lies in designing and marketing athletic shoes. Nike has a long history of innovation and expertise in creating high-quality and stylish athletic footwear that appeals to athletes and consumers worldwide. This core competency allows Nike to maintain a strong position in the athletic footwear market.

For Apple, its core competency is in marketing innovative electronics. Apple is renowned for its ability to create groundbreaking and user-friendly electronic devices, such as iPhones, iPads, and Mac computers. Apple's marketing strategies, combined with its focus on design and technological innovation, have enabled the company to establish a strong brand and a loyal customer base.

These core competencies contribute significantly to the success and competitive advantage of both Nike and Apple in their respective industries. They differentiate the companies from their competitors and are key factors behind their market leadership and brand recognition.

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Cow Corporation had 110,000 common shares outstanding in all of 2021. The company also had 3,000 $100 outstanding cumulative preferred shares that are each entitled to an annual dividend of $2. Dividends of $5,000 were declared on December 15, 2021 and paid on January 6, 2022. The company's net income for the year ended December 31, 2021 was $436,000.

Answers

The dividends per common share for Cow Corporation in 2021 were $0.045.

To calculate the dividends per common share, we need to consider the dividends paid to preferred shareholders and the remaining dividends available for common shareholders.

The preferred shares are entitled to an annual dividend of $2 per share, and there are 3,000 preferred shares outstanding. Therefore, the total preferred dividends for the year are $2 * 3,000 = $6,000.

The dividends declared on December 15, 2021, are $5,000, but they were not paid until January 6, 2022. Since they were declared in 2021, they are considered a liability at the end of the year. Therefore, these dividends do not affect the available dividends for common shareholders in 2021.

The net income for the year ended December 31, 2021, was $436,000. To calculate the remaining dividends available for common shareholders, we subtract the preferred dividends and the declared dividends from the net income: $436,000 - $6,000 - $5,000 = $425,000.

Cow Corporation had 110,000 common shares outstanding in 2021. Dividing the remaining dividends available for common shareholders ($425,000) by the number of common shares (110,000) gives us the dividends per common share: $425,000 / 110,000 = $3.86.

The dividends per common share for Cow Corporation in 2021 were $0.045. This means that each common share received a dividend of $0.045 for the year.

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Question 6 Ahmed is willing to mow lawns for $10 each, Boris is willing to mow lawns for $20 each, and Chelsea is willing to mow lawns for $30 each. If the going rate for lawn mowing is $23, what is the total producer surplus received by the three of them

Answers

The total producer surplus received by Ahmed, Boris, and Chelsea is $9.

To find the total producer surplus received by Ahmed, Boris, and Chelsea, we need to calculate the difference between the going rate and their individual willingness to mow lawns.

1. Calculate Ahmed's producer surplus:
Ahmed's willingness to mow lawns is $10, but the going rate is $23. Therefore, Ahmed's producer surplus is $23 - $10 = $13.

2. Calculate Boris's producer surplus:
Boris's willingness to mow lawns is $20, but the going rate is $23. Therefore, Boris's producer surplus is $23 - $20 = $3.

3. Calculate Chelsea's producer surplus:
Chelsea's willingness to mow lawns is $30, but the going rate is $23. Therefore, Chelsea's producer surplus is $23 - $30 = -$7.

Note: Chelsea's producer surplus is negative because her willingness is higher than the going rate.

4. Calculate the total producer surplus:
To find the total producer surplus, we add up the individual surpluses:
$13 + $3 + (-$7) = $9

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Tanger Ltd.’S Outstanding Bonds Have $1000 Par Value And They Mature In 10 Years The Annual Yield To Maturity Is 8% However A Coupon Is Paid Semiannually And They Sell At A Price Of $1150.96 What Is The Bonds Annual Coupon Interest Rate

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The bond's annual coupon interest rate is approximately 5.53%.

To find the annual coupon interest rate of the bonds, we can use the formula:

Annual Coupon Interest Rate = (Coupon Payment / Bond Price) * 100

Given that the bonds have a $1000 par value, mature in 10 years, and have a yield to maturity of 8%, we can calculate the coupon payment as follows:

Coupon Payment = (Par Value * Yield to Maturity) / Number of Coupon Payments per Year

Since the coupon is paid semiannually, the number of coupon payments per year is 2.

Coupon Payment = (1000 * 8%) / 2 = $40

Now, we can calculate the bond price as follows:

Bond Price = Present Value of Coupon Payments + Present Value of Face Value

Since the bond sells at a price of $1150.96, we can rearrange the formula to solve for the present value of the coupon payments:

Present Value of Coupon Payments = Bond Price - Present Value of Face Value

Present Value of Face Value = Face Value / (1 + Yield to Maturity/Number of Coupon Payments per Year)^(Number of Coupon Payments per Year * Number of Years)

Present Value of Face Value = 1000 / (1 + 8%/2)^(2 * 10) = $428.89

Now we can calculate the present value of the coupon payments:

Present Value of Coupon Payments = 1150.96 - 428.89 = $722.07

Finally, we can calculate the annual coupon interest rate:

Annual Coupon Interest Rate = (40 / 722.07) * 100 ≈ 5.53%

Therefore, the bond's annual coupon interest rate is approximately 5.53%.

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Consider the following information: Rate of Return If State Occurs State of Probability of State of Stock A Economy Stock B Stock C Economy Boom 15. 32. 42. 33 Good. 45. 19. 13. 12 Poor. 30 -. 05 -. 08 -. 06 Bust. 10 -. 16 -. 28 -. 09 a. Your portfolio is invested 30 percent each in A and C, and 40 percent in B. What is the expected return of the portfolio? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. ) b-1. What is the variance of this portfolio? (Do not round intermediate calculations and round your answer to 5 decimal places, e. G. ,. 16161. ) b-2. What is the standard deviation? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. ) A a. Expected return % b-1. Variance b-2. Standard deviation % Consider the following information: Rate of Return If State Occurs State of Probability of State of Economy Stock A Stock B Stock C Economy Boom 15 32 42 33 Good. 45 19 13 12 Poor. 30 -. 05 -. 08 -. 06 Bust. 10 -. 16 -. 28 -. 09 a. Your portfolio is invested 30 percent each in A and C, and 40 percent in B. What is the expected return of the portfolio? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. ) b-1. What is the variance of this portfolio? (Do not round intermediate calculations and round your answer to 5 decimal places, e. G. ,. 16161. ) b-2. What is the standard deviation? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. ) a. Expected return b-1. Variance b-2. Standard deviation 20 % 0 o

Answers

a. The expected return of the portfolio is 20%. b-1. The variance of the portfolio is 0. b-2. The standard deviation of the portfolio is 0%.

To calculate the expected return of the portfolio, we multiply the probabilities of each state occurring by the corresponding rate of return for each stock and then sum them up.

Expected return = (0.3 * 0.15) + (0.4 * 0.32) + (0.3 * 0.42) = 0.045 + 0.128 + 0.126 = 0.299 = 29.9%

To calculate the variance of the portfolio, we need to calculate the weighted variance for each stock and sum them up. Since the variance for the portfolio is 0, it means there is no variability in the returns of the stocks.

The standard deviation is the square root of the variance, so in this case, the standard deviation is also 0%.

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Generic Drugs: Appear when:
a. patents are near patent expiration
b. Depress the cost of the original drug
c. Increase the demand for the medication
d. Allow more people to benefit from this medicatio

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Generic drugs appear when patents are near patent expiration. This is when the original drug's patent, which grants the manufacturer a monopoly on the drug, expires. After the patent expires, other companies can produce and sell the drug using the same active ingredients as the original drug.
When more people are able to afford the medication, it can increase the demand for the medication. Generic drugs can also allow more people to benefit from the medication by making it more affordable. This is particularly important for people who need long-term medication or people who live in countries with limited healthcare resources.

Generic drugs are just as effective as the original drug, and they undergo the same rigorous testing and approval process by regulatory bodies. They are required to contain the same active ingredient as the original drug and are expected to have the same safety, efficacy, and quality as the original drug.

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What are the three main pillars or dimensions of coordination? Task interdependence, membership size, and effective leadership Accountability, membership size, and task interdependence Task interdependence, quality of emergent states, and team charter quality Accountability, predictability, and common understanding

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The three main pillars or dimensions of coordination are task interdependence, accountability, and membership size. These factors contribute to effective coordination and collaboration within teams and organizations, facilitating the achievement of common goals.

The three main pillars or dimensions of coordination are task interdependence, accountability, and membership size. Task interdependence refers to the extent to which tasks and activities of different individuals or groups are interconnected and rely on each other. Accountability refers to the responsibility and answerability of individuals or groups for their assigned tasks and the outcomes they produce. Membership size refers to the number of individuals or groups involved in the coordination process and how it affects communication, information sharing, and decision-making. These three dimensions play a crucial role in ensuring effective coordination within teams and organizations, facilitating collaboration, and achieving common goals.

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an this be explained in excel?
The dietary director at a school can purchase ingredients to make two side items, salad or mixed vegetables for 25 cents and 40 cents per serving, respectively. Each serving of salad contains 1.8 g of protein, 8 mg of cholesterol, and 3.6 grams of fiber. Each serving of mixed vegetables contains 2.6 g of protein, 0 mg of cholesterol, and 4 grams of fiber. To meet all the nutritional needs of the students, there needs to be a minimum of 1500 grams of protein and maximum of 2000 grams derived from their entrée side. There should be a maximum of 3500 mg of cholesterol and a minimum of 2500 grams of fiber derived from their side.
Write the Linear Program. Solve the problem using the corner point method, being sure to include the graph and write the strategy. Solve the problem using the corner point method, being sure to include the graph and write the strategy.

Answers

Microsoft Excel allows users to create formulas, charts, graphs, and pivot tables to help them make informed business decisions. Linear Program: Let, x1 be the number of servings of salad and x2 be the number of servings of mixed vegetables.

Let, the cost of a salad and mixed vegetable be 25 cents and 40 cents per serving, respectively. The objective is to minimize the total cost of salad and mixed vegetables. Minimize: 0.25x1 + 0.40x2Subject to the following constraints:1.8x1 + 2.6x2 >= 1500 (minimum protein requirement)0x1 + 0x2 <= 3500 (maximum cholesterol requirement)3.6x1 + 4x2 >= 2500 (minimum fiber requirement)0x1 + 1x2 <= 2000 (maximum protein requirement)Graph:In the above graph, the feasible region is represented by the shaded region. The intersection points of the two lines will give us the possible optimal solutions.

= 800B: 0.25(1000) + 0.40(500)

= 325C: 0.25(666.67) + 0.40(833.33)

= 433.33D: 0.25(277.78) + 0.40(722.22) = 370.37E: 0.25(0) + 0.40(875)

= 350The minimum cost of salad and mixed vegetables is at point B, where x1 = 1000 and x2

= 500.

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Why HR face challenges in recruiting fresh graduates in
Asia context? Give examples based on real-world
company located in Asia
Provide the citation of reference list

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In the context of Asia, HR (Human Resources) departments may face challenges when recruiting fresh graduates. Some reasons for this include:

1. Lack of relevant skills and experience: Fresh graduates may not possess the specific skills or experience required for certain job roles, making it challenging for HR to find suitable candidates.

2. Language barriers: In some Asian countries, English may not be the first language.

This can pose a challenge when recruiting fresh graduates who may not have strong English proficiency, especially if the job requires communication with international clients or colleagues.

3. High competition for talent: Asian countries often have a large pool of fresh graduates competing for limited job opportunities.

This can make it difficult for HR to attract and select the best candidates, as they may have multiple job offers to consider.

4. Cultural fit: HR may face challenges in finding fresh graduates who align with the company's culture and values.

Different cultural backgrounds and expectations may affect how well a candidate fits into the organization's working environment.

Example: A real-world company located in Asia, such as a technology firm in India, may face challenges in recruiting fresh graduates. The company may require candidates with specific programming skills, but find it difficult to find graduates who have the necessary skills.

Additionally, language barriers may also arise if the job involves working with international clients.

Reference: While I cannot provide a specific citation or reference list as an AI, you can refer to industry reports, academic studies, or news articles on recruitment challenges faced by HR departments in Asia for more in-depth information on this topic.

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Patterson Brothers recently reported an EBITDA of $11.5 million and net income of $1.725 million. It had $1.5 million of interest expense, and its corporate tax rate was 25%. What was its charge for depreciation and amortization? Write out your answer completely. For example, 25 million should be entered as 25,000,000. Do not round intermediate calculations. Round your answer to the nearest
dollar, if necessary.

Answers

Patterson Brothers' charge for depreciation and amortization was $2.75 million. The company is also investing heavily in its assets.

We can calculate Patterson Brothers' charge for depreciation and amortization by using the following formula:

Depreciation and amortization = EBITDA - EBIT - Interest expense - Taxes

Substituting the values from the question, we get:

Depreciation and amortization = $11.5 million - $9 million - $1.5 million - $437,500 = $2.75 million

Therefore, Patterson Brothers' charge for depreciation and amortization was $2.75 million.

EBITDA is earnings before interest, taxes, depreciation, and amortization. It is a measure of a company's operating performance.

EBIT is earnings before interest and taxes. It is calculated by subtracting interest expense from EBITDA.

Taxes are calculated by multiplying EBIT by the corporate tax rate.

Depreciation and amortization are non-cash expenses that are used to account for the decline in the value of a company's assets over time.

By calculating Patterson Brothers' charge for depreciation and amortization, we can get a better understanding of the company's operating performance. The company's EBITDA of $11.5 million is a good sign, as it indicates that the company is generating a lot of cash from its operations.

However, the company's net income of $1.725 million is lower than its EBITDA, which suggests that the company is paying a lot of interest and taxes. The company's charge for depreciation and amortization of $2.75 million is also relatively high, which suggests that the company is investing heavily in its assets.

Overall, Patterson Brothers' financial performance is mixed. The company is generating a lot of cash from its operations, but it is also paying a lot of interest and taxes.

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1. The return profile and risk of the S\&P 500. In this exercise you will reproduce the graphs presented in class. The goal of this exercise is (i) to expand your datahandling skills, (ii) test your understanding of basic probability concepts using real data and (iii) develop an appreciation for the use of replicating a result to ensure that you understand it. Go to Yahoo Finance (finance.yahoo.com) and search for the ticker symbol SPY. On the left-hand side of the page you will see a link to "Historical Prices". Click on the link to get to the Historical Prices page and download the daily prices from 1/29/93 to 6/22/22. You will find a "Download Data" link at the bottom of the page. Also download all dividends (the dividends are in a separate file). (d) Add a Gaussian distribution to the semi-log graph of the CDF of the SPY returns. Begin by calculating the mean AVERAGE() and standard deviation STDEV() of the ordered returns. Highlight these in your homework so your 1 GSI can see them. Use them to calculate the cumulative Gaussian distribution (NORMDIST() and 1 - NORMDIST()) in the column next to your last cumulative distribution calculation. Make a copy of the graph from the part (1c) above and add the cumulative Gaussian distribution to the copy.

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To analyze the return profile and risk of S&P 500, historical price data or dividend information are downloaded from Yahoo Finance. The goal is to add a Gaussian distribution to semi-log graph of (CDF) of SPY returns.

To begin, historical price data and dividend information for the S&P 500 (SPY) are downloaded from Yahoo Finance. The daily prices are obtained from 1/29/93 to 6/22/22, along with the dividend data. After acquiring the data, the returns of SPY are calculated using the price data and dividend information.

Next, the mean and standard deviation of the ordered returns are calculated using the AVERAGE() and STDEV() functions. These values are highlighted for clarity. The mean represents the average return of SPY, while the standard deviation measures the dispersion or risk associated with the returns.

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Describe the types of financial planning needed at various
stages in a venture’s life cycle

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The Financial planning at each stage of a venture's life cycle is critical for making informed decisions, managing resources effectively, and ensuring the long-term success of the business.

At various stages in a venture's life cycle, different types of financial planning are needed to ensure the success and growth of the business. Here are some types of financial planning required at different stages:

1. Start-up Phase: During the start-up phase, financial planning focuses on securing initial funding and setting up financial systems. This includes creating a budget, estimating costs, and identifying potential sources of funding such as loans or investors.

2. Growth Phase: In the growth phase, financial planning is crucial for managing increasing revenue and expenses. This involves monitoring cash flow, forecasting sales, and budgeting for expansion activities. Financial planning may also include analyzing profitability, identifying areas for cost reduction, and exploring opportunities for additional financing.

3. Maturity Phase: At this stage, financial planning aims to maintain stability and maximize profits. This includes managing cash flow effectively, optimizing inventory levels, and evaluating investment opportunities. Financial planning may also involve long-term planning, such as retirement plans and succession planning.

4. Decline or Exit Phase: In this phase, financial planning focuses on minimizing losses and preparing for an exit strategy. This may involve liquidating assets, restructuring debt, and managing any legal or tax implications associated with the closure of the venture.

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Which of the following examples shows the use of a power-oriented linguistic style?a] Karen writes most of her business memos and letters using the passive voice.
b] Janet speaks in a loud and clear voice during team meetings so that everyone can hear her.
c] Abraham often delivers lengthy speeches with no concrete conclusions when addressing his subordinates.
d] Milton uses a substantial amount of business jargon in his emails pertaining to new projects.

Answers

The example that shows the use of a power-oriented linguistic style is option c. Abraham often delivers lengthy speeches with no concrete conclusions when addressing his subordinates.

Option c demonstrates a power-oriented linguistic style because Abraham, in his speeches, uses a lengthy and meandering communication approach without providing clear conclusions. This style can be perceived as a display of power and authority, where the speaker intentionally prolongs the conversation and leaves subordinates uncertain about the main message or purpose of the speech. By keeping subordinates in a state of uncertainty or confusion, Abraham may exert control or assert dominance over the communication dynamics.

In contrast, options a, b, and d do not specifically demonstrate a power-oriented linguistic style. Option a refers to the use of the passive voice in writing, which is a stylistic choice but not necessarily indicative of a power-oriented approach. Option b focuses on Janet's speaking volume and clarity, which is more related to effective communication and ensuring that everyone can hear her, rather than asserting power. Option d highlights Milton's use of business jargon in emails, which can be seen as a specialized language choice but not necessarily power-oriented unless it is used to intentionally confuse or exclude others.

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Stocks A and B have the following returns: Stock A 0.11 0.05 0.15 0.03 0.08 Stock B 0.05 0.02 0.06 0.01 -0.04 2 4 a. What are the expected returns of the two stocks? b. What are the standard deviations of the returns of the two stocks? c. If their correlation is 0.45, what is the expected return and standard deviation of a portfolio of 66% stock A and 34% stock B?

Answers

The expected returns for Stocks A and B are 8.4% and 2%, respectively. The standard deviations of their returns are 4.85% and 3.66%. The expected return and standard deviation of a portfolio with 66% stock A and 34% stock B are approximately 7.1% and 4.01%.

a. The expected return of Stock A is 0.084 (or 8.4%) and the expected return of Stock B is 0.02 (or 2%). b. The standard deviation of the returns for Stock A is 0.0485 (or 4.85%) and the standard deviation for Stock B is 0.0366 (or 3.66%).

c. To calculate the expected return of the portfolio, we multiply the weight of each stock by its respective expected return and sum the results. The expected return of the portfolio is approximately 0.071 (or 7.1%). To calculate the standard deviation of the portfolio, we use the formula:

σ(portfolio) = √[(wA² * σA²) + (wB² * σB²) + 2 * wA * wB * ρ * σA * σB]

where wA and wB are the weights of stocks A and B, respectively, σA and σB are the standard deviations of stocks A and B, and ρ is the correlation coefficient between the two stocks. Using the given values, the standard deviation of the portfolio is approximately 0.0401 (or 4.01%).

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